Benefits & Objective of this course:
Understanding and use key functions in Excel
Analyse financial statements using modelling
Create a Budget and to make changes to different scenarios
Prepare a cash flow budget/ forecast
Carry out a variance and breakeven analysis for decision making
Develop a model for investment decision
Create a sensitivity analysis model
Develop Excel models independently for specific tasks
Explore and evaluate capital budgeting situations
Manage existing financial proposals to deliver the best returns